Post-effective amendment to a registration statement that is not immediately effective upon filing

CONSOLIDATED BALANCE SHEET

v3.20.4
CONSOLIDATED BALANCE SHEET - USD ($)
Nov. 30, 2020
Aug. 31, 2020
Aug. 31, 2019
Current      
Cash and cash equivalents $ 525,341 $ 1,293,749 $ 1,285,147
Marketable securities (Note 19) 43,731 19,321 64,214
Accounts receivable (Note 7) 427,330 313,925 273,145
Inventory (Note 8) 125,963 116,871 127,396
Prepaid expenses and deposit (Note 18) 136,016 182,095 68,927
Current assets from discontinued operations (Note 21) 49,333 105,250  
Total Current Assets 1,307,714 1,925,961 1,818,829
Non-current assets, net      
Lease right of use 118,193 126,920 0
Intellectual Property (Note 9) 296,058 292,000 265,127
Property & equipment (Note 10) 452,355 483,357 591,263
Total Non-current Assets 866,606 902,277 856,390
TOTAL ASSETS 2,174,320 2,828,238 2,675,219
Current      
Accounts payable and accrued liabilities (Note 11) 83,095 86,920 136,411
Deferred revenue (Note 14) 35,500 44,255  
Due to related party (Note 15) 87,185 58,704 48,096
Lease current (Note 17) 36,695 36,038 0
Current liabilities from discontinued operations (Note 21) 0 250  
Total Current Liabilities 242,475 225,917 184,507
Long Term      
Lease long term(Note 17) 79,969 89,393  
Loan payable 30,852 30,670  
Total Long Term Liabilities 110,821 120,063  
TOTAL LIABILITIES 353,296 345,980 184,507
STOCKHOLDERS' EQUITY      
Share capital (Note 12) Authorized: 220,000,000 common voting shares with a par value of $0.001 per share Issued and outstanding:90,044,312 common shares at August 31, 2020 and 78,787,134 common shares at August 31, 2019 3,001 90,044 78,787
Additional paid-in capital (Note 12, 13) 30,373,285 30,237,355 26,172,453
Deficit (28,498,226) (27,802,198) (23,868,202)
Equity attributable to shareholders of the Company 1,878,060 2,525,201 2,383,038
Non-Controlling Interest (57,036) (42,943) 107,674
Total Stockholders' Equity 1,821,024 2,482,258 2,490,712
TOTAL LIABILITIES AND STOCKHOLDERS' EQUITY $ 2,174,320 $ 2,828,238 $ 2,675,219